JPMorgan Diversified Return U.S. Equity ETF

JPUS
$140.89 (+ $1.04 + 0.74%)
Last updated: 2026-07-04 03:12 UTC
Dividend Yield
1.93%
Dividend Growth
1Y +6.04%
3Y +10.48%
5Y +12.59%
10YN/A
Next Dividend
Payout Frequency
Quarterly
Payout Ratio
38%
TTM Dividends
$2.7994
Dividend Charts
Paid Dividends
Dividend Yield (%)
Retro Yield on Cost (%)
Recent Dividends
Pay DateEx-Div DateAmountAnnouncementTypeYield (%)Change
2026-06-25 2026-06-23 $0.6772 N/A Paid 1.93% +0.1373 (25.43%)
2026-03-26 2026-03-24 $0.5399 N/A Paid 1.67% -0.3645 (-40.30%)
2025-12-26 2025-12-23 $0.9044 N/A Paid 2.89% +0.2265 (33.41%)
2025-09-25 2025-09-23 $0.6779 N/A Paid 2.22% -0.0153 (-2.21%)
2025-06-26 2025-06-24 $0.6932 N/A Paid 2.36% +0.1566 (29.18%)
2025-03-27 2025-03-25 $0.5366 N/A Paid 1.86% -0.2872 (-34.86%)
2024-12-27 2024-12-24 $0.8239 N/A Paid 2.87% +0.2378 (40.57%)
2024-09-26 2024-09-24 $0.5861 N/A Paid 1.97% -0.0484 (-7.63%)
2024-06-27 2024-06-25 $0.6345 N/A Paid 2.33% +0.2553 (67.32%)
2024-03-22 2024-03-19 $0.3792 N/A Paid 1.37% -0.4218 (-52.66%)
2023-12-22 2023-12-19 $0.8010 N/A Paid 3.13% +0.2261 (39.33%)
2023-09-22 2023-09-19 $0.5748 N/A Paid 2.43% -0.0165 (-2.79%)
2023-06-23 2023-06-20 $0.5913 N/A Paid 2.50% +0.2348 (65.86%)
2023-03-24 2023-03-21 $0.3565 N/A Paid 1.55% -0.4741 (-57.08%)
2022-12-23 2022-12-20 $0.8306 N/A Paid 3.49% +0.3003 (56.63%)
2022-09-23 2022-09-20 $0.5303 N/A Paid 2.41% +0.0151 (2.93%)
2022-06-24 2022-06-21 $0.5153 N/A Paid 2.21% +0.1605 (45.24%)
2022-03-25 2022-03-22 $0.3548 N/A Paid 1.35% -0.3381 (-48.80%)
2021-12-27 2021-12-21 $0.6928 N/A Paid 2.63% +0.2800 (67.82%)
2021-09-24 2021-09-21 $0.4128 N/A Paid 1.68% +0.0438 (11.87%)
2021-06-22 2021-06-22 $0.3690 N/A Paid 1.54% +0.0770 (26.37%)
2021-03-23 2021-03-23 $0.2920 N/A Paid 1.31% -0.1940 (-39.92%)
2020-12-22 2020-12-22 $0.4860 N/A Paid 2.35% +0.1120 (29.95%)
2020-09-22 2020-09-22 $0.3740 N/A Paid 2.05% -0.0700 (-15.77%)
2020-06-23 2020-06-23 $0.4440 N/A Paid 2.54% +0.1220 (37.89%)
2020-03-24 2020-03-24 $0.3220 N/A Paid 2.35% -0.2830 (-46.78%)
2019-12-23 2019-12-23 $0.6050 N/A Paid 3.04% +0.2550 (72.86%)
2019-09-24 2019-09-24 $0.3500 N/A Paid 1.85% -0.0930 (-20.99%)
2019-06-25 2019-06-25 $0.4430 N/A Paid 2.38% +0.1740 (64.68%)
2019-03-20 2019-03-20 $0.2690 N/A Paid 1.48% -0.1480 (-35.49%)
2018-12-24 2018-12-24 $0.4170 N/A Paid 2.72% -0.0040 (-0.95%)
2018-09-25 2018-09-25 $0.4210 N/A Paid 2.26% +0.0740 (21.33%)
2018-06-26 2018-06-26 $0.3470 N/A Paid 1.95% +0.1290 (59.17%)
2018-03-21 2018-03-21 $0.2180 N/A Paid 1.23% -0.6610 (-75.20%)
2017-12-26 2017-12-26 $0.8790 N/A Paid 4.98% +0.4200 (91.50%)
2016-12-23 2016-12-23 $0.4590 N/A Paid 3.08% +0.1990 (76.54%)
2015-12-24 2015-12-24 $0.2600 N/A Paid 1.97%